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Samples of the different type of notices here

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Showing 408928-393225 of 407313

Notice Number Issued Effective Event Type Symbol
AMS_20150630_04518_EUR 30 Jun 2015 09 Jul 2015
CE - Shares - Admission to listing and trading (NL and BE)
FLOWTRADERS
AMS_20150630_04517_EUR 30 Jun 2015 01 Jul 2015
CE - Shares - Dividend - Announcement
EUROCASTLE INVEST.

AMS_20150630_04516_EUR 30 Jun 2015 01 Jul 2015
CE - Structured Products - New Listing
Multiple

AMS_20150630_04515_EUR 30 Jun 2015 01 Jul 2015
CE - Structured Products - New Listing
EUUSD 1.1BL OPENB

AMS_20150630_04514_EUR 30 Jun 2015 01 Jul 2015
CE - Structured Products - New Listing
Multiple

AMS_20150630_04513_EUR 30 Jun 2015 01 Jul 2015
CE - Structured Products - New Listing
OILCR 61.3TS OPENB

AMS_20150630_04512_EUR 30 Jun 2015 01 Jul 2015
CE - Structured Products - New Listing
Multiple

AMS_20150630_04511_EUR 30 Jun 2015 01 Jul 2015
CE - Structured Products - New Listing
Multiple

AMS_20150630_04510_EUR 30 Jun 2015 01 Jul 2015
CE - Structured Products - New Listing
Multiple

AMS_20150630_04509_EUR 30 Jun 2015 01 Jul 2015
CE - Structured Products - New Listing
Multiple

AMS_20150630_04508_EUR 30 Jun 2015 01 Jul 2015
CE - Shares - Capital increase
REED ELSEVIER

AMS_20150630_04507_EUR 30 Jun 2015 01 Jul 2015
CE - Structured Products - Increase number listed
AEX STN0920V

AMS_20150630_04506_EUR 30 Jun 2015 30 Jun 2015
CE - Structured Products - Delisting
AEX STN0920V

AMS_20150630_04505_EUR 30 Jun 2015 -
CE - Assimilation

AMS_20150630_04504_EUR 30 Jun 2015 01 Jul 2015
CE - Bonds - New listing
AABREGS2.875%JUN25

AMS_20150630_04503_EUR 30 Jun 2015 01 Jul 2015
CE - Structured Products - Adjustment
Multiple

AMS_20150630_04502_EUR 30 Jun 2015 01 Jul 2015
CE - Structured Products - Strike Update
Multiple
AMS_20150630_04501_EUR 30 Jun 2015 30 Jun 2015
CE - Structured Products - Delisting
Multiple

PAR_20150629_05053_EUR 29 Jun 2015 01 Jul 2015
CE - Bonds - Change of characteristics
AUTOABSAFRN27JAN23

PAR_20150629_05052_EUR 29 Jun 2015 29 Jun 2015
CE - Shares - Optional dividend
HSBC HOLDINGS

PAR_20150629_05051_EUR 29 Jun 2015 30 Jun 2015
CE - Structured Products - Strike Update
Multiple
PAR_20150629_05050_EUR 29 Jun 2015 01 Jul 2015
CE - Shares - Capital increase
TOTAL

PAR_20150629_05049_EUR 29 Jun 2015 29 Jun 2015
CE - Structured Products - Delisting
Multiple

PAR_20150629_05048_EUR 29 Jun 2015 29 Jun 2015
CE - Structured Products - Delisting
Multiple

PAR_20150629_05047_EUR 29 Jun 2015 -
CE - LP - Liquidity providers agreement